PT Wijaya Karya (Persero) Tbk

IDX:WIKA.JK

374 (IDR) • At close November 5, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) IDR.

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,233,071.3775,669,693.126,983,869.55514,951,761.07110,346,734.33813,973,766.47711,253,778.2159,269,999.5842,560,120.4832,300,892.1821,386,707.0381,499,142.8191,244,316.2371,227,704.8691,210,888.161,051,432.1671,364,820.703336,744.452
Kortetermijnbeleggingen -3,475,826.797-2,001,946.566-7,904,798.307-3,604,154.64-6,429,202.108-7,073,177.798-2,994,343.189-3,344,198.996-1,842,313.30533,237.12934,752.02111,510.88212,953.2200000
Liquide middelen en kortetermijnbeleggingen 3,233,071.3775,669,693.126,983,869.55514,951,761.07110,346,734.33813,973,766.47711,253,778.2159,269,999.5842,560,120.4832,334,129.3111,421,459.0591,510,653.7011,257,269.4571,227,704.8691,210,888.161,051,432.1671,364,820.703336,744.452
Nettovorderingen 11,811,855.92115,178,659.82314,316,508.98123,118,408.44825,028,184.9618,101,86316,111,84210,333,975.0388,876,210.0096,253,814.2725,383,618.5044,520,637.0273,698,310.8272,985,568.3642,705,550.0832,828,399.6491,857,217.1081,584,933.538
Voorraad 15,413,855.51218,446,634.10215,775,208.9059,813,054.2276,854,729.6085,978,533.1613,839,540.3011,736,126.9331,101,311.163907,742.0431,180,508.0271,138,080.424872,775.16853,256.8241,044,472.7721,350,022.508464,468.902323,561.098
Overige vlottende activa 342,873.172339,807.652111,046.67197,721.979105,822.952163,745.70788,042.632212,396.37422,643.68218,760.9168,703.06117,183.49110,496.23956,142.8241,619.38375.983813.171924.96
Totaal vlottende activa 30,801,655.98239,634,794.69737,186,634.11247,980,945.72542,335,471.85843,555,495.86534,910,108.26521,552,497.92912,560,285.3379,514,446.5427,994,288.6517,186,554.6435,838,851.6835,122,672.8814,962,530.3985,229,930.3073,687,319.8842,246,164.048
Niet-vlottende activa:
Materiële vaste activa, netto 4,596,094.725,498,735.0665,193,985.3013,669,855.7083,721,884.6453,435,113.8273,060,984.7192,619,144.6522,320,372.6151,854,960.9291,221,290.753926,503.151753,148.442475,168.983398,330.988357,467.343248,942.701258,746.325
Goodwill 4,847.0524,847.0524,847.0524,847.0524,847.0524,847.0524,847.05266,370.1324,847.0524,847.0524,847.0524,847.0524,847.0527,536.72310,048.96412,561.20500
Immateriële activa 12,088,087.41210,956,446.1869,615,126.7285,563,365.0633,844,011.1231,954,918.71,010,201.273846,698.551864,027.498821,082.15419,001.366242,253.355000000
Goodwill en immateriële activa 12,092,934.46410,961,293.2389,619,973.785,568,212.1153,848,858.1751,959,765.7521,015,048.325913,068.683868,874.55825,929.202423,848.418247,100.4074,847.0527,536.72310,048.96412,561.20500
Langetermijnbeleggingen 18,382,415.10816,708,759.87817,186,471.19210,717,193.89712,030,803.72510,173,435.0736,379,166.2965,987,411.1283,808,160.2861,875,064.3131,513,538.5981,185,305.018879,776.539584,293.197264,283.126000
Belastingvorderingen 32,192.50868,072.27890,880.41863,688.61438,148.74231,437.29525,699.80318,229.01826,283.70526,829.846,599.37848,446.59232,500.59921,592.6812,495.89306,597.2810,570.535
Overige niet-vlottende activa 75,943.1062,197,949.065107,849.543109,289.154135,680.00974,753.427292,766.8946,188.0818,429.5411,817,930.8961,395,396.9021,351,299.607813,855.25675,040.43852,924.233171,464.955190,203.98139,661.599
Totaal niet-vlottende activa 35,179,579.90635,434,809.52532,199,160.23420,128,239.48819,775,375.29615,674,505.37410,773,666.0379,544,041.5617,042,120.6976,400,715.144,600,674.0493,758,654.7752,484,127.8881,163,632.021738,083.204541,493.503445,743.961408,978.459
Totaal activa 65,981,235.88875,069,604.22269,385,794.34668,109,185.21362,110,847.15459,230,001.23945,683,774.30231,096,539.4919,602,406.03415,915,161.68212,594,962.710,945,209.4188,322,979.5716,286,304.9025,700,613.6025,771,423.814,133,063.8452,655,142.507
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,339,844.21613,291,507.45713,359,690.63814,241,490.84314,361,727.84214,429,045.97710,908,897.3695,167,469.4564,738,666.4654,243,062.7523,517,425.5082,776,941.3082,382,087.6741,315,359.3981,302,605.6241,381,865.735995,291.575683,466.686
Kortlopende schulden 21,101,398.21315,502,448.79915,999,095.03121,012,544.3396,187,700.4074,496,704.2276,906,538.285,407,000.5281,817,830.0451,708,029.357401,837.771321,458.381206,360.58187,272.013156,503.407627,412.743175,994.348447,600.04
Belastingschulden 1,015,383.431620,038.915550,108.234480,317.954826,757.559964,712.033687,543.204440,921.345318,157.887343,369.007371,180.744378,866.691148,102.128144,603.233207,151.667106,675.11951,472.12841,866.293
Uitgestelde opbrengsten 896,601.571493,162.934738,833.071,606,476.5381,162,754.369964,712.033145,819.898-46,304.55-83,885.69812,754.36181,717.285229,096.054148,102.128144,603.2331,976,415.517106,675.1191,060,670.97441,866.293
Overige kortlopende verplichtingen 7,099,449.5956,848,212.2256,871,951.1647,307,956.0168,637,274.3278,361,489.1488,014,361.754,077,996.6494,124,923.6192,512,195.9993,297,488.8973,200,132.142,390,658.4892,094,792.132-0.0011,504,632.9930.001677,512.06
Totaal kortlopende verplichtingen 38,437,293.59536,135,331.41536,969,569.90344,168,467.73630,349,456.94528,251,951.38525,975,617.29714,606,162.08310,597,534.4318,476,042.4697,298,469.4616,527,627.8835,127,208.8723,642,026.7763,435,524.5473,620,586.592,231,956.8981,850,445.079
Langlopende verplichtingen:
Langetermijnschulden 15,809,825.73217,900,398.62712,436,457.7145,264,957.0738,892,248.6329,092,157.9012,108,058.2231,340,872.6711,692,432.31,323,559.8061,270,655.404931,448.145251,074.132276,226.93806,42600
Uitgestelde opbrengsten niet-vlottend 1,630,050.5452,450,341.7521,580,640.9071,434,955.9262,664,565.2313,644,322.0032,477,316.6882,376,225.8291,662,677.0441,049,416.204714,562.781623,790.3820008,037.91400
Uitgestelde belastingverplichtingen niet-vlottend 77,042.686116,143.99191,020.85498,483.073171,749.427140,226.345,890.32631,490.6111,170.7260000003,718.38300
Overige niet-vlottende verplichtingen 455,410.288974,182.249873,027.256484,896.334817,093.932886,029.085445,067.155243,072.993200,490.16887,384.97984,316.17948,337.414725,320.692451,283.244629,374.265665,257.512544,947.49347,434.29
Totaal niet-vlottende verplichtingen 17,972,329.25121,441,066.61914,981,146.7317,283,292.40612,545,657.22213,762,735.2895,076,332.3923,991,662.1033,566,770.2382,460,360.9892,069,534.3641,603,575.941976,394.824727,510.182629,374.265683,439.809544,947.49347,434.29
Totaal passiva 56,409,622.84657,576,398.03451,950,716.63451,451,760.14242,895,114.16742,014,686.67431,051,949.68918,597,824.18614,164,304.66910,936,403.4589,368,003.8258,131,203.8246,103,603.6964,369,536.9584,064,898.8124,304,026.3992,776,904.3882,197,879.369
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 896,995.137896,995.137896,995.137896,995.137896,995.137896,995.137896,995.137896,995.137614,922.5614,922.5613,996.8610,562.75602,726.75600,154.05584,636.75584,615.4584,615.469,523
Ingehouden winsten -7,200,895.9564,372,391.03779,761.50512,815.9477,261,129.6145,479,925.9614,003,197.8892,627,883.2182,013,224.281,518,305.5381,202,094.8181,196,354.346854,681.104608,452.745386,017.42246,892.633129,256.889225,852.319
Overige gereserveerde algehele resultaten 4,377,247.2394,377,247.2394,377,247.2394,377,247.2392,612,233.0231,825,628.5131,085,052.5881,027,254.5921,041,431.211,044,024.956429,375.6390000000
Overige totale aandeelhoudersvermogen 7,676,531.9263,317,179.1257,693,079.0788,391,072.6175,732,345.5946,601,064.696,648,270.7346,799,748.499705,586.679812,337.262703,495.582767,153.761614,152.919593,016.986562,287.064553,133.173577,339.779106,882.456
Totaal eigen vermogen van aandeelhouders 5,749,878.34612,963,812.53813,047,082.95913,678,130.9416,502,703.36814,803,614.30112,633,516.34811,351,881.4464,375,164.6693,989,590.2562,948,962.8392,574,070.8572,071,560.7731,801,623.7811,532,941.2341,384,641.2061,291,212.068402,257.775
Totaal eigen vermogen 9,571,613.04217,493,206.18817,435,077.71216,657,425.07119,215,732.98717,215,314.56514,631,824.61312,498,715.3045,438,101.3654,978,758.2243,226,958.8752,814,005.5942,219,375.8751,916,767.9441,635,714.791,467,397.4111,356,159.457457,263.138
Totaal passiva en aandeelhoudersvermogen 65,981,235.88875,069,604.22269,385,794.34668,109,185.21362,110,847.15459,230,001.23945,683,774.30231,096,539.4919,602,406.03415,915,161.68212,594,962.710,945,209.4188,322,979.5716,286,304.9025,700,613.6025,771,423.814,133,063.8452,655,142.507